BIS research papers

Date Publications
25 Jul 2012

Capital requirements for bank exposures to central counterparties

25 Jul 2012

Risk-on/risk-off, capital flows, leverage and safe assets

17 Jul 2012

Reassessing the impact of finance on growth

06 Jul 2012

Margin requirements for non-centrally-cleared derivatives - consultative document

02 Jul 2012

Monitoring indicators for intraday liquidity management - consultative document

29 Jun 2012

A framework for dealing with domestic systemically important banks - consultative document

28 Jun 2012

The internal audit function in banks - final document

26 Jun 2012

Composition of capital disclosure requirements - Rules text

26 Jun 2012

Principles for effective risk data aggregation and risk reporting - consultative document

13 Jun 2012

Characterising the financial cycle: don't lose sight of the medium term!

11 Jun 2012

Report to G20 Leaders on Basel III implementation

04 Jun 2012

BIS Quarterly Review, June 2012

31 May 2012

Threat of fiscal dominance?

BIS Papers No. 65

29 May 2012

Innovations in retail payments

15 May 2012

Models and tools for macroprudential analysis

15 May 2012

The policy implications of transmission channels between the financial system and the real economy

07 May 2012

When capital adequacy and interest rate policy are substitutes (and when they are not)

03 May 2012

Fundamental review of the trading book - consultative document

19 Apr 2012

Ensuring price stability in post-crisis Asia: lessons from the recovery

16 Apr 2012

Principles for financial market infrastructures

13 Apr 2012

Peer review of supervisory authorities' implementation of stress testing principles

12 Apr 2012

Rapid credit growth and international credit: Challenges for Asia

12 Apr 2012

Results of the Basel III monitoring exercise as of 30 June 2011

11 Apr 2012

Systemic risk in global banking: what can available data tell us and what more data are needed?

05 Apr 2012

Loan loss provisioning practices of Asian banks